/E
Eni S.p.A.
E • NYSEE • NYSE • Energy
$46.79+1.19%+0.55
$46.79+1.19%(+0.55)Energy
GoAI Score
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Valuation
50Fair Value
Sentiment
0Bearish
Risk
97Low Risk
Momentum
95Positive
Institutional-Grade Intelligence
🏆PRO
Actionable Intelligence
AI-driven stance, execution logic & risk thresholds
Catalyst Roadmap
Event timeline with expected impact & market context
Deep Insights
Fact-checked analysis & score logic breakdown
Financial Statements
Margin Trends
Gross
5.5%▼5.9pp
Revenue after COGS
Operating
7.3%▲1.4pp
After operating expenses
Net
3.2%▲0.2pp
Bottom-line profitability
Gross Margin
Operating Margin
Net Margin
Valuation Snapshot
P/E Ratio
19.5
Price vs earnings
EV/EBITDA
6.2
Enterprise value
FCF Yield
9.1%
Cash generation
Earnings Yield
5.1%
Inverse of P/E
Capital Efficiency
3
GoAI Quality ScoreWeak
ROEReturn on Equity
5.2%Fair
ROAReturn on Assets
1.8%Fair
ROICReturn on Invested Capital
2.4%Fair
Financial Health
Current RatioAdequate
1.17
Short-term solvency (>1.5)
Net Debt / EBITDAManageable
2.38x
Debt repayment capacity (<3x)
Income QualityStrong
5.11
Cash backs earnings (>1)
Revenue & Profitability
Revenue
Net Income
Net Loss
Income Statement
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 |
|---|---|---|---|---|---|
| Revenue | $78.91B | $88.80B | $93.72B | $132.51B | $76.58B |
| Gross Profit | $4.34B | $10.08B | $12.40B | $22.78B | $13.96B |
| Gross Margin | 5.5% | 11.4% | 13.2% | 17.2% | 18.2% |
| Operating Income | $5.75B | $5.24B | $8.26B | $17.51B | $12.34B |
| Net Income | $2.51B | $2.62B | $4.77B | $13.89B | $5.82B |
| Net Margin | 3.2% | 3.0% | 5.1% | 10.5% | 7.6% |
| EPS | $1.66 | $1.58 | $2.82 | $7.92 | $3.22 |
Average Price Target
$34.60▼ 26.1% Downside
Past 12 Months
12 Month Forecast
Based on 50 Wall Street analysts offering 12 month price targets for Eni S.p.A., the average price target is $34.60, with a high forecast of $34.60 and a low forecast of $34.60. The average price target represents a 26.1% decrease from the current price of $46.79.
Highest
$34.60
Average
$34.60
Lowest
$34.60
Rating Distribution
Strong Buy
0
0%
Buy
9
35%
Hold
16
62%
Sell
1
4%
Strong Sell
0
0%
Recent Analyst Ratings
FirmActionRatingDate
JP Morgan▲ Upgrade
Underweight→Overweight
2026-03-02JP Morgan▼ Downgrade
Overweight→Underweight
2025-12-05UBS▲ Upgrade
Neutral→Buy
2025-11-25RBC Capital▼ Downgrade
Outperform→Sector Perform
2025-09-02Morgan Stanley▼ Downgrade
Overweight→Equal Weight
2025-01-07Bernstein▼ Downgrade
Outperform→Market Perform
2024-09-23Morgan Stanley▲ Upgrade
Equal Weight→Overweight
2024-08-29RBC Capital▲ Upgrade
Sector Perform→Outperform
2024-07-29Redburn Atlantic▲ Upgrade
Neutral→Buy
2024-06-25Berenberg▼ Downgrade
Buy→Hold
2024-03-20Earnings History & Surprises
BEAT RATE
67%
Last 18 quarters
AVG SURPRISE
+4.0%
EPS vs Estimate
BEATS / MISSES
12/6
Last 18 quarters
LATEST EPS
$0.87
Q1 '26
QUARTERLY EPS TREND
Estimated
Beat
Miss
QUARTERLY DETAIL
Q1 '26
+11.5%
$0.87 vs $0.78
Q4 '25
+23.3%
$0.90 vs $0.73
Q3 '25
+17.9%
$0.79 vs $0.67
Q2 '25
+1.1%
$0.92 vs $0.91
Q1 '25
-31.0%
$0.58 vs $0.84
Q4 '24
-3.4%
$0.86 vs $0.89
Q3 '24
-12.5%
$0.98 vs $1.12
Q2 '24
-14.8%
$1.04 vs $1.22
Q1 '24
-13.1%
$1.06 vs $1.22
Q4 '23
+1.7%
$1.18 vs $1.16
Q3 '23
+7.8%
$1.24 vs $1.15
Q2 '23
+33.1%
$1.85 vs $1.39
No investor questions available.
Latest News
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